AB75-SSA1,269,189
20.143
(1) (kj)
Gaming economic development and diversification; grants and
10loans. Biennially, the amounts in the schedule for grants and loans under s. 560.138,
11for the grants under s. 560.139 (1) (a)
, (2), and (3), and for the grants under
2001
12Wisconsin Act 16, section
9110 (2k), (11pk), and (11zx)
. Of the amounts in the
13schedule, $500,000 shall be allocated in each fiscal year for the grants under s.
14560.139 (3), and 2009 Wisconsin Act .... (this act), section 9110 (16i). All moneys
15transferred from the appropriation account under s. 20.505 (8) (hm) 6j. shall be
16credited to this appropriation account. Notwithstanding s. 20.001 (3) (b), the
17unencumbered balance on June 30 of each odd-numbered year shall revert to the
18appropriation account under s. 20.505 (8) (hm).
AB75-SSA1, s. 215
19Section
215. 20.143 (1) (kr) of the statutes is renumbered 20.285 (1) (ks) and
20amended to read:
AB75-SSA1,270,421
20.285
(1) (ks)
Physician and dentist and health care provider loan assistance
22programs; repayments, and contract. Biennially, the amounts in the schedule for
23loan repayments under ss.
560.183 and 560.184 and for contracting under ss.
24560.183 (8) and 560.184 (7) 36.60 and 36.61. All moneys transferred from the
25appropriation account under s. 20.505 (8) (hm) 6r.
and all moneys transferred under
11999 Wisconsin Act 9, section 9210 (1), shall be credited to this appropriation
2account. Notwithstanding s. 20.001 (3) (b), the unencumbered balance on June 30
3of each odd-numbered year shall revert to the appropriation account under s. 20.505
4(8) (hm).
AB75-SSA1,270,96
20.143
(1) (qm)
Brownfields grant program and related grants; environmental
7fund. From the environmental fund, the amounts in the schedule for grants under
8ss. 560.13 and 560.139 (1) (c) and for the grant under
2005 Wisconsin Act 25, section
99108 (3f) 2009 Wisconsin Act .... (this act), section 9110 (12h).
AB75-SSA1,270,1512
20.143
(2) (b)
Housing grants and loans; general purpose revenue. Biennially,
13the amounts in the schedule for grants and loans under s. 560.9803
and, for grants
14under s. 560.
9805 and 2009 Wisconsin Act .... (this act), section 9110 (12u), and for
15the grant under
2009 Wisconsin Act 2, section
9110 (1).
AB75-SSA1,270,2417
20.143
(2) (fm)
Shelter for homeless and transitional housing grants. The 18Biennially, the amounts in the schedule for transitional housing grants under s.
19560.9806 and for grants to agencies and shelter facilities for homeless individuals
20and families as provided under s. 560.9808. Notwithstanding ss. 20.001 (3) (a) and
2120.002 (1), the department may transfer funds between fiscal years under this
22paragraph.
All funds allocated but not encumbered by December 31 of each year
23lapse to the general fund on the next January 1 unless transferred to the next
24calendar year by the joint committee on finance.
AB75-SSA1,271,3
120.143
(3) (r)
Safety and building operations; petroleum inspection fund. From
2the petroleum inspection fund, the amounts in the schedule for the purposes of ch.
3168 and ss. 101.09
and, 101.142
, and 101.1435.
AB75-SSA1,271,85
20.143
(3) (sm)
Diesel truck idling reduction grants. From the petroleum
6inspection fund, the amounts in the schedule for diesel truck idling reduction grants
7under s. 560.125. No funds may be encumbered under this paragraph after June 30,
82011 2015.
AB75-SSA1,271,1310
20.143
(3) (sn)
Diesel truck idling reduction grant administration. From the
11petroleum inspection fund, the amounts in the schedule for administering the Diesel
12Truck Idling Reduction Grant Program under s. 560.125. No funds may be
13encumbered under this paragraph after December 31,
2012 2016.
AB75-SSA1,271,1715
20.143
(3) (vm)
Removal of underground petroleum storage tanks. From the
16petroleum inspection fund, the amounts in the schedule for the removal of
17abandoned underground petroleum storage tanks under s. 101.1435.
AB75-SSA1,271,2119
20.143
(3) (w)
Petroleum storage environmental remedial action;
20administration. From the petroleum inspection fund, the amounts in the schedule
21for the administration of ss. 101.143
, 101.1435, and 101.144.
AB75-SSA1, s. 221
22Section
221. 20.145 (1) (g) (intro.) of the statutes is amended to read:
AB75-SSA1,272,323
20.145
(1) (g)
General program operations. (intro.) The amounts in the
24schedule for general program operations, including organizational support services
25and oversight of care management organizations, and for transferring to the
1appropriation account under s. 20.435 (4) (kv) the amount allocated by the
2commissioner of insurance. All of the following shall be credited to this appropriation
3account:
AB75-SSA1, s. 222
4Section
222. 20.145 (1) (g) 3. of the statutes is created to read:
AB75-SSA1,272,55
20.145
(1) (g) 3. All moneys received under ss. 648.15 and 648.27.
AB75-SSA1,272,97
20.155
(3) (t)
Police and fire protection fee administration. From the police and
8fire protection fund, the amounts in the schedule for the costs of administering s.
9196.025 (6).".
AB75-SSA1,272,1911
20.165
(1) (g)
General program operations. The amounts in the schedule for
12the licensing, rule making
, and regulatory functions of the department,
other than
13the licensing, rule-making, and credentialing functions of the medical examining
14board and the affiliated credentialing boards attached to the medical examining
15board and except for preparing, administering
, and grading examinations. Ninety
16percent of all moneys received under chs. 440 to 480, except
ch. 448, ss. 440.03 (13)
17and, 440.05 (1) (b),
and 446.02 (3) (a), less $10 of each renewal fee received under s.
18452.12 (5), and all moneys transferred from the appropriation under par. (i) and all
19moneys received under s. 440.055 (2), shall be credited to this appropriation.
AB75-SSA1,272,2321
20.165
(1) (gc)
Chiropractic examination. Ninety percent of all moneys
22received from examinees under s. 446.02 (3) (a), for the purpose of developing and
23administering examinations to applicants for licensure under s. 446.02 (2).
AB75-SSA1,273,7
120.165
(1) (hg)
General program operations; medical examining board. 2Biennially, the amounts in the schedule for the licensing, rule-making, and
3regulatory functions of the medical examining board and the affiliated credentialing
4boards attached to the medical examining board, except for preparing,
5administering, and grading examinations. Ninety percent of all moneys received for
6issuing and renewing credentials under ch. 448 shall be credited to this
7appropriation.
AB75-SSA1,273,169
20.165
(1) (jm)
Nursing workforce survey administration. Biennially, the
10amounts in the schedule for administrative expenses related to distributing a
11nursing workforce survey to applicants for renewal of credentials under s. 441.01 (7).
12All moneys received from the fee under s. 441.01 (7) (a) 2. shall be credited to this
13appropriation account. Annually, there is transferred from this appropriation
14account to the appropriation account under s. 20.445 (1) (km) all moneys received
15from the fee under s. 441.01 (7) (a) 2. that are not appropriated to this appropriation
16account.
AB75-SSA1,273,2218
20.225
(1) (b)
Energy costs; energy-related assessments. The amounts in the
19schedule to pay for utilities and for fuel, heat, and air conditioning, to pay
20assessments levied by the department of administration under s. 16.847 (3) for
debt
21service costs
incurred and
energy cost savings generated at facilities of the board,
22and to pay costs incurred under ss. 16.858 and 16.895, by or on behalf of the board.
AB75-SSA1,274,424
20.235
(1) (fe)
Wisconsin higher education grants; University of Wisconsin
25System students. A sum sufficient equal to
$50,000,000 $37,750,000 in the
2007-08
12009-10 fiscal year, equal to
$55,000,000 $58,345,400 in the
2008-09
2010-11 fiscal
2year, and equal to the amount calculated under s. 39.435 (7) for the Wisconsin higher
3education grant program under s. 39.435 for University of Wisconsin System
4students, except for grants awarded under s. 39.435 (2) or (5), thereafter.
AB75-SSA1,274,116
20.235
(1) (fz)
Remission of fees and reimbursement for veterans and
7dependents. Biennially, the amounts in the schedule to reimburse the Board of
8Regents of the University of Wisconsin System and technical college district boards
9under s. 39.50 for fee remissions made under ss. 36.27 (3n)
(b) or (3p)
(b) and 38.24
10(7)
(b) or (8)
(b) and to reimburse veterans and dependents as provided in ss. 36.27
11(3n) (bm) or (3p) (bm) and 38.24 (7) (bm) or (8) (bm).
AB75-SSA1,274,1913
20.235
(1) (ke)
Wisconsin higher education grants for University of Wisconsin
14System students; auxiliary enterprises. The amounts in the schedule for the
15Wisconsin higher education grant program under s. 39.435 for University of
16Wisconsin System students, except for grants awarded under s. 39.435 (2) or (5). All
17moneys transferred to this appropriation account from the appropriation account
18under s. 20.285 (1) (h) shall be credited to this appropriation account. No moneys
19may be expended or encumbered from this appropriation after June 30, 2010.
AB75-SSA1, s. 233
20Section
233. 20.235 (1) (ke) of the statutes, as created by 2009 Wisconsin Act
21.... (this act), is repealed.
AB75-SSA1,275,323
20.245
(1) (c)
Energy costs; energy-related assessments. The amounts in the
24schedule to pay for utilities and for fuel, heat, and air conditioning, to pay
25assessments levied by the department of administration under s. 16.847 (3) for
debt
1service costs
incurred and
energy cost savings generated at facilities of the society,
2and to pay costs incurred by or on behalf of the historical society under ss. 16.858 and
316.895.
AB75-SSA1,275,105
20.245
(1) (k)
Storage facility.
The Biennially, the amounts in the schedule to
6support the operation of a storage facility for the collections of the historical society.
7All moneys transferred from the appropriation account under s. 20.505 (8) (hm) 4d.
8shall be credited to this appropriation account. Notwithstanding s. 20.001 (3)
(a) (b),
9the unencumbered balance on June 30 of each
odd-numbered year shall revert to the
10appropriation account under s. 20.505 (8) (hm).
AB75-SSA1,275,2012
20.255
(1) (c)
Energy costs; Wisconsin Educational Services Program for the
13Deaf and Hard of Hearing and Wisconsin Center for the Blind and Visually Impaired;
14energy-related assessments. The amounts in the schedule to be used at the facilities
15of the Wisconsin Educational Services Program for the Deaf and Hard of Hearing and
16the Wisconsin Center for the Blind and Visually Impaired to pay for utilities and for
17fuel, heat and air conditioning, to pay assessments levied by the department of
18administration under s. 16.847 (3) for
debt service costs
incurred and
energy cost 19savings generated at departmental facilities, and to pay costs incurred by or on
20behalf of the department under ss. 16.858 and 16.895.
AB75-SSA1,276,222
20.255
(1) (hm)
Services for drivers. The amounts in the schedule for services
23for drivers. All moneys transferred from
the appropriation account under s. 20.435
24(6) (5) (hx) shall be credited to this appropriation
account, except that the
1unencumbered balance on June 30 of each year shall revert to the appropriation
2account under s. 20.435
(6) (5) (hx).
AB75-SSA1,276,74
20.255
(1) (j)
Milwaukee Parental Choice Program; financial audits. All
5moneys received under s. 119.23 (2) (a) 3. to be used to evaluate the financial
6information submitted under s. 119.23 (7) (am) and (d) 2. and 3. by private schools
7participating in the Milwaukee Parental Choice Program.
AB75-SSA1,276,119
20.255
(2) (ac)
General equalization aids. The amounts in the schedule for the
10payment of educational aids under ss. 121.08, 121.09, 121.095,
and 121.105
, 121.137 11and subch. VI of ch. 121.
AB75-SSA1,276,1413
20.255
(2) (er)
Global Academy. The amounts in the schedule for a grant to the
14Global Academy under 2009 Wisconsin Act .... (this act), section 9139 (5i).
AB75-SSA1,276,1816
20.255
(2) (es)
Distance learning. The amounts in the schedule for a grant to
17the Chequamegon School District for a distance learning lab under 2009 Wisconsin
18Act .... (this act), section 9139 (6i).
AB75-SSA1,276,2120
20.255
(2) (fu)
Milwaukee parental choice program. A sum sufficient to make
21the payments to private schools under s. 119.23 (4)
and
, (4m)
, and (10) (e).
AB75-SSA1,276,2423
20.255
(2) (fv)
Milwaukee Parental Choice Program; transfer pupils. A sum
24sufficient to make the payments under s. 119.23 (4r).
AB75-SSA1,277,6
120.255
(2) (km)
Tribal language revitalization grants. The amounts in the
2schedule for grants to school districts and cooperative educational service agencies
3under s. 115.745. All moneys transferred from the appropriation account under s.
420.505 (8) (hm) 5. shall be credited to this appropriation account. Notwithstanding
5s. 20.001 (3) (a), the unencumbered balance on June 30 of each year shall revert to
6the appropriation account under s. 20.505 (8) (hm).
AB75-SSA1,277,108
20.255
(2) (m)
Federal aids; local aid. All federal moneys received as
9authorized under s. 16.54
, except as otherwise appropriated under this subsection, 10to aid local governmental units or agencies.
AB75-SSA1,277,1712
20.255
(2) (n)
Federal aid; economic stimulus funds.
All federal moneys
13received, as authorized by the governor under s. 16.54, as economic stimulus funds
14pursuant to federal legislation enacted during the 111th Congress other than
15allocations from the state fiscal stabilization fund that are distributed to school
16districts as general equalization aid, to be expended for the purposes for which
17received.
AB75-SSA1,277,2219
20.255
(3) (dn)
Project Lead the Way grants. The amounts in the schedule for
20annual grants to Project Lead the Way to provide discounted professional
21development services and software for participating high schools in this state. No
22moneys may be encumbered under this paragraph after June 30,
2009 2011.
AB75-SSA1, s. 252
24Section
252. 20.255 (3) (ea) of the statutes is renumbered 20.255 (3) (r) and
25amended to read:
AB75-SSA1,278,2
120.255
(3) (r)
Library service contracts. The From the universal service fund,
2the amounts in the schedule for library service contracts under s. 43.03 (6) and (7).
AB75-SSA1, s. 253
3Section
253. 20.255 (3) (qm) (title) of the statutes is amended to read:
AB75-SSA1,278,44
20.255
(3) (qm) (title)
Supplemental aid Aid to public library systems.
AB75-SSA1,278,166
20.285
(1) (c)
Energy costs; energy-related assessments. The amounts in the
7schedule to pay for utilities and for fuel, heat, and air conditioning, to pay
8assessments levied by the department of administration under s. 16.847 (3) for
debt
9service costs
incurred and
energy cost savings generated at university facilities, and
10to pay costs incurred under ss. 16.858 and 16.895, including all operating costs
11recommended by the department of administration that result from the installation
12of pollution abatement equipment in state-owned or operated heating, cooling, or
13power plants, by or on behalf of the board of regents, and including the cost of
14purchasing electricity, steam, and chilled water generated by the cogeneration
15facility constructed pursuant to an agreement under
2001 Wisconsin Act 109, section
169156 (2z) (g).
AB75-SSA1,279,2018
20.285
(1) (h)
Auxiliary enterprises. Except as provided under subs. (5) (i) and
19(6) (g), all moneys received by the University of Wisconsin System for or on account
20of any housing facility, commons, dining halls, cafeteria, student union, athletic
21activities, stationery stand or bookstore, parking facilities or car fleet, or such other
22auxiliary enterprise activities as the board designates and including such fee
23revenues as allocated by the board and including such moneys received under leases
24entered into previously with nonprofit building corporations as the board designates
25to be receipts under this paragraph, but not including any moneys received from the
1sale of real property during
the period before July 1, 2007, and the period beginning
2on October 27, 2007, and ending on June 30, 2009,
and the period beginning on the
3effective date of this paragraph .... [LRB inserts date], to be used for the operation,
4maintenance, and capital expenditures of activities specified in this paragraph,
5including the transfer of funds to pars. (kd)
and, (ke)
, and (kj) and to s. 20.235 (1) (ke),
6and to nonprofit building corporations to be used by the corporations for the
7retirement of existing indebtedness and such other payments as may be required
8under existing loan agreements, for optional rental payments in addition to the
9mandatory rental payments under the leases and subleases in connection with the
10providing of facilities for such activities, and for grants under ss. 36.25 (14) and
1136.34. A separate account shall be maintained for each campus and extension. Upon
12the request of the extension or any campus within the system, the board of regents
13may transfer surplus moneys appropriated under this paragraph to the
14appropriation account under par. (kp).
In fiscal year 2009-10, the amount in the
15schedule under s. 20.235 (1) (ke) shall be transferred from this appropriation account
16to the appropriation account under s. 20.235 (1) (ke), and the amount in the schedule
17under par. (kj) shall be transferred from this appropriation account to the
18appropriation account under par. (kj). Of the amounts transferred to s. 20.235 (1)
19(ke) and to par. (kj), no more than $3,500,000 may be drawn from the account of the
20extension or any single campus.
AB75-SSA1, s. 255
21Section
255
. 20.285 (1) (h) of the statutes, as affected by 2009 Wisconsin Act
22.... (this act), is amended to read:
AB75-SSA1,280,2423
20.285
(1) (h)
Auxiliary enterprises. Except as provided under subs. (5) (i) and
24(6) (g), all moneys received by the University of Wisconsin System for or on account
25of any housing facility, commons, dining halls, cafeteria, student union, athletic
1activities, stationery stand or bookstore, parking facilities or car fleet, or such other
2auxiliary enterprise activities as the board designates and including such fee
3revenues as allocated by the board and including such moneys received under leases
4entered into previously with nonprofit building corporations as the board designates
5to be receipts under this paragraph, but not including any moneys received from the
6sale of real property during the period beginning on October 27, 2007, and ending on
7June 30, 2009, and the period beginning on the effective date of this paragraph ....
8[LRB inserts date], to be used for the operation, maintenance, and capital
9expenditures of activities specified in this paragraph, including the transfer of funds
10to pars. (kd)
, (ke) and (kj) and to s. 20.235 (1) (ke)
and (ke), and to nonprofit building
11corporations to be used by the corporations for the retirement of existing
12indebtedness and such other payments as may be required under existing loan
13agreements, for optional rental payments in addition to the mandatory rental
14payments under the leases and subleases in connection with the providing of
15facilities for such activities, and for grants under ss. 36.25 (14) and 36.34. A separate
16account shall be maintained for each campus and extension. Upon the request of the
17extension or any campus within the system, the board of regents may transfer
18surplus moneys appropriated under this paragraph to the appropriation account
19under par. (kp).
In fiscal year 2009-10, the amount in the schedule under s. 20.235
20(1) (ke) shall be transferred from this appropriation account to the appropriation
21account under s. 20.235 (1) (ke), and the amount in the schedule under par. (kj) shall
22be transferred from this appropriation account to the appropriation account under
23par. (kj). Of the amounts transferred to s. 20.235 (1) (ke) and to par. (kj), no more than
24$3,500,000 may be drawn from the account of the extension or any single campus.
AB75-SSA1,281,3
120.285
(1) (ia)
State laboratory of hygiene, drivers. All moneys transferred from
2the appropriation account under s. 20.435
(6) (5) (hx) for the state laboratory of
3hygiene for costs associated with services for drivers.
AB75-SSA1,281,165
20.285
(1) (iz)
General operations receipts. All moneys received for or on
6account of the University of Wisconsin System, unless otherwise specifically
7appropriated, including all moneys received from the sale of real property during
the
8period prior to July 1, 2007, and the period beginning on October 27, 2007, and
9ending on June 30, 2009, to be used for general operations. In fiscal
years 2007-08, 10year 2008-09,
the board shall transfer $15,000,000 from this appropriation account
11to the medical assistance trust fund. In fiscal year 2009-10,
and the board shall
12transfer $23,800,000 from this appropriation account to the medical assistance trust
13fund. In fiscal year 2010-11, the board shall
transfer $25,000,000 from this
14appropriation account to the medical assistance trust fund. In fiscal years 2011-12
15and 2012-13, the board shall annually transfer
$15,000,000 $27,500,000 from this
16appropriation account to the medical assistance trust fund.
AB75-SSA1, s. 258
17Section
258. 20.285 (1) (iz) of the statutes, as affected by 2009 Wisconsin Act
18.... (this act), is amended to read: